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<br /> EXPENDITURE DETAIL <br />Fund Department Division Account <br />Water & Sewer Finance Utility Billing & Collection 1 0-81 <br />Account 1997-98 1998-99 99-2000 <br />Number Account Classification Actual Estimated Budget <br />09 Buildings-Structures <br /> <br />01 Buildings $ - $ - $ 25~000 <br /> <br /> Total Buildings $ - $ - $ 25.000. <br /> <br />10 Equipment <br /> <br />01 Furniture & Fixtures $ - $ 1,300. $ 1,025. <br />02 Machinery- Tools-Equipment 7,102. 1,250. 5,460. <br />04 Motor Vehicles - - 17,500. <br />08 Communication System - - 460. <br />10 MiscellaneoUs, - 10,000. - <br /> <br /> Total Equipment $ 7.102. $ 12,550. $ 24,445. <br /> <br /> Total Capital Outlay $ 7.102. $ 12,550. $ 49,445. <br /> <br /> Grand Total $ 1,494,723. $ 1,494.067. $ 1,572,910. <br /> <br /> <br />225 <br />